Job Description
The Banking and International Controls team supports and promotes a robust control environment within Banking and International globally, ensuring that all applicable internal policies and external regulations are adopted through effective and sustainable processes.
The team sits within the 1st line of defence and provides direct oversight over the key operational and conduct risks of the business by overseeing processes and controls related to transaction approvals, Information Management, Client Monitoring, Client Complaints and Employee Supervision and Training.
Conduct Risk Analyst plays a central role in shaping and sustaining the Conduct Risk programme within Banking and International (B&I), working directly alongside the Conduct Risk Lead to ensure robust day-to-day oversight across the business. This is a strategic position that sits at the intersection of risk management, stakeholder engagement, and programme delivery.
Key Responsibilities:
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